HIGH YIELD & E.M. CREDIT INVESTMENT ANALYST - ASSET MANAGER
- Employer
- .Not Disclosed.
- Location
- London, United Kingdom
- Salary
- Negotiable
- Closing date
- Aug 24, 2019
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- Job Function
- Other
- Industry Sector
- Finance - General
- Employment Type
- Full Time
- Education
- Bachelors
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THE SEARCH:
Altus Partners are representing a renowned institutional asset manager in their search for a new Analyst for their EMEA Credit team in London. The firm has built an impressive reputation as an investor in both High Yield and Emerging Market credit, with strong performance and a considerable capital-base.
This new hire is part of organic growth within the team, to ensure the most effective possible coverage of names in the investible universe.
THE ROLE:
This is an excellent opportunity to develop one's career in credit investment as part of a successful team, with excellent provision of mentorship and scope for progression.
Your role will include, but by no means be limited to, the following:
THE BACKGROUND:
Altus Partners are representing a renowned institutional asset manager in their search for a new Analyst for their EMEA Credit team in London. The firm has built an impressive reputation as an investor in both High Yield and Emerging Market credit, with strong performance and a considerable capital-base.
This new hire is part of organic growth within the team, to ensure the most effective possible coverage of names in the investible universe.
THE ROLE:
This is an excellent opportunity to develop one's career in credit investment as part of a successful team, with excellent provision of mentorship and scope for progression.
Your role will include, but by no means be limited to, the following:
- Conducting analysis (fundamental and relative value) of High Yield (c. 60-70%) and Emerging Market (c. 30-40%) corporate credit names.
- Making investment recommendations, and monitoring existing positions.
- Developing expertise across a selection of sectors (typically around three).
- Performing complex financial modelling.
- Meeting with senior-level company management teams.
- Thoroughly analysing industry-specific metrics.
- Commercial review of legal documentation.
- Contributing to weekly investment committee meetings with senior level professionals, by presenting your investment recommendation notes.
THE BACKGROUND:
- 4 to 6 years of total relevant experience, including at least 2 years in buy-side credit analysis.
- Detailed working knowledge of High Yield and Emerging Market credit.
- Strong modelling and valuation skills.
- Experience in both fundamental and relative value analysis.
- High academic pedigree.
- CFA preferred.
- Excellent verbal and written communication skills.
- A positive, enthusiastic disposition, suited to working in a highly collaborative team environment.
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